AB75-SSA1,277,2219
20.255
(3) (dn)
Project Lead the Way grants. The amounts in the schedule for
20annual grants to Project Lead the Way to provide discounted professional
21development services and software for participating high schools in this state. No
22moneys may be encumbered under this paragraph after June 30,
2009 2011.
AB75-SSA1, s. 252
24Section
252. 20.255 (3) (ea) of the statutes is renumbered 20.255 (3) (r) and
25amended to read:
AB75-SSA1,278,2
120.255
(3) (r)
Library service contracts. The From the universal service fund,
2the amounts in the schedule for library service contracts under s. 43.03 (6) and (7).
AB75-SSA1, s. 253
3Section
253. 20.255 (3) (qm) (title) of the statutes is amended to read:
AB75-SSA1,278,44
20.255
(3) (qm) (title)
Supplemental aid Aid to public library systems.
AB75-SSA1,278,166
20.285
(1) (c)
Energy costs; energy-related assessments. The amounts in the
7schedule to pay for utilities and for fuel, heat, and air conditioning, to pay
8assessments levied by the department of administration under s. 16.847 (3) for
debt
9service costs
incurred and
energy cost savings generated at university facilities, and
10to pay costs incurred under ss. 16.858 and 16.895, including all operating costs
11recommended by the department of administration that result from the installation
12of pollution abatement equipment in state-owned or operated heating, cooling, or
13power plants, by or on behalf of the board of regents, and including the cost of
14purchasing electricity, steam, and chilled water generated by the cogeneration
15facility constructed pursuant to an agreement under
2001 Wisconsin Act 109, section
169156 (2z) (g).
AB75-SSA1,279,2018
20.285
(1) (h)
Auxiliary enterprises. Except as provided under subs. (5) (i) and
19(6) (g), all moneys received by the University of Wisconsin System for or on account
20of any housing facility, commons, dining halls, cafeteria, student union, athletic
21activities, stationery stand or bookstore, parking facilities or car fleet, or such other
22auxiliary enterprise activities as the board designates and including such fee
23revenues as allocated by the board and including such moneys received under leases
24entered into previously with nonprofit building corporations as the board designates
25to be receipts under this paragraph, but not including any moneys received from the
1sale of real property during
the period before July 1, 2007, and the period beginning
2on October 27, 2007, and ending on June 30, 2009,
and the period beginning on the
3effective date of this paragraph .... [LRB inserts date], to be used for the operation,
4maintenance, and capital expenditures of activities specified in this paragraph,
5including the transfer of funds to pars. (kd)
and, (ke)
, and (kj) and to s. 20.235 (1) (ke),
6and to nonprofit building corporations to be used by the corporations for the
7retirement of existing indebtedness and such other payments as may be required
8under existing loan agreements, for optional rental payments in addition to the
9mandatory rental payments under the leases and subleases in connection with the
10providing of facilities for such activities, and for grants under ss. 36.25 (14) and
1136.34. A separate account shall be maintained for each campus and extension. Upon
12the request of the extension or any campus within the system, the board of regents
13may transfer surplus moneys appropriated under this paragraph to the
14appropriation account under par. (kp).
In fiscal year 2009-10, the amount in the
15schedule under s. 20.235 (1) (ke) shall be transferred from this appropriation account
16to the appropriation account under s. 20.235 (1) (ke), and the amount in the schedule
17under par. (kj) shall be transferred from this appropriation account to the
18appropriation account under par. (kj). Of the amounts transferred to s. 20.235 (1)
19(ke) and to par. (kj), no more than $3,500,000 may be drawn from the account of the
20extension or any single campus.
AB75-SSA1, s. 255
21Section
255
. 20.285 (1) (h) of the statutes, as affected by 2009 Wisconsin Act
22.... (this act), is amended to read:
AB75-SSA1,280,2423
20.285
(1) (h)
Auxiliary enterprises. Except as provided under subs. (5) (i) and
24(6) (g), all moneys received by the University of Wisconsin System for or on account
25of any housing facility, commons, dining halls, cafeteria, student union, athletic
1activities, stationery stand or bookstore, parking facilities or car fleet, or such other
2auxiliary enterprise activities as the board designates and including such fee
3revenues as allocated by the board and including such moneys received under leases
4entered into previously with nonprofit building corporations as the board designates
5to be receipts under this paragraph, but not including any moneys received from the
6sale of real property during the period beginning on October 27, 2007, and ending on
7June 30, 2009, and the period beginning on the effective date of this paragraph ....
8[LRB inserts date], to be used for the operation, maintenance, and capital
9expenditures of activities specified in this paragraph, including the transfer of funds
10to pars. (kd)
, (ke) and (kj) and to s. 20.235 (1) (ke)
and (ke), and to nonprofit building
11corporations to be used by the corporations for the retirement of existing
12indebtedness and such other payments as may be required under existing loan
13agreements, for optional rental payments in addition to the mandatory rental
14payments under the leases and subleases in connection with the providing of
15facilities for such activities, and for grants under ss. 36.25 (14) and 36.34. A separate
16account shall be maintained for each campus and extension. Upon the request of the
17extension or any campus within the system, the board of regents may transfer
18surplus moneys appropriated under this paragraph to the appropriation account
19under par. (kp).
In fiscal year 2009-10, the amount in the schedule under s. 20.235
20(1) (ke) shall be transferred from this appropriation account to the appropriation
21account under s. 20.235 (1) (ke), and the amount in the schedule under par. (kj) shall
22be transferred from this appropriation account to the appropriation account under
23par. (kj). Of the amounts transferred to s. 20.235 (1) (ke) and to par. (kj), no more than
24$3,500,000 may be drawn from the account of the extension or any single campus.
AB75-SSA1,281,3
120.285
(1) (ia)
State laboratory of hygiene, drivers. All moneys transferred from
2the appropriation account under s. 20.435
(6) (5) (hx) for the state laboratory of
3hygiene for costs associated with services for drivers.
AB75-SSA1,281,165
20.285
(1) (iz)
General operations receipts. All moneys received for or on
6account of the University of Wisconsin System, unless otherwise specifically
7appropriated, including all moneys received from the sale of real property during
the
8period prior to July 1, 2007, and the period beginning on October 27, 2007, and
9ending on June 30, 2009, to be used for general operations. In fiscal
years 2007-08, 10year 2008-09,
the board shall transfer $15,000,000 from this appropriation account
11to the medical assistance trust fund. In fiscal year 2009-10,
and the board shall
12transfer $23,800,000 from this appropriation account to the medical assistance trust
13fund. In fiscal year 2010-11, the board shall
transfer $25,000,000 from this
14appropriation account to the medical assistance trust fund. In fiscal years 2011-12
15and 2012-13, the board shall annually transfer
$15,000,000 $27,500,000 from this
16appropriation account to the medical assistance trust fund.
AB75-SSA1, s. 258
17Section
258. 20.285 (1) (iz) of the statutes, as affected by 2009 Wisconsin Act
18.... (this act), is amended to read:
AB75-SSA1,282,619
20.285
(1) (iz)
General operations receipts. All moneys received for or on
20account of the University of Wisconsin System, unless otherwise specifically
21appropriated, including all moneys received from the sale of real property during and
22the period beginning on October 27, 2007, and ending on June 30, 2009,
and the
23period beginning on the effective date of this paragraph .... [LRB inserts date], the
24period prior to July 1, 2007, to be used for general operations. In fiscal year 2008-09,
25the board shall transfer $15,000,000 from this appropriation account to the medical
1assistance trust fund. In fiscal year 2009-10, the board shall transfer $23,800,000
2from this appropriation account to the medical assistance trust fund. In fiscal year
32010-11, the board shall transfer $25,000,000 from this appropriation account to the
4medical assistance trust fund. In fiscal years 2011-12 and 2012-13, the board shall
5annually transfer $27,500,000 from this appropriation account to the medical
6assistance trust fund.
AB75-SSA1,282,148
20.285
(1) (j)
Gifts and donations. All moneys received from gifts, grants,
9bequests and devises, except moneys received from the sale of real property during
10the period before July 1, 2007, and the period beginning on October 27, 2007, and
11ending on June 30, 2009,
and the period beginning on the effective date of this
12paragraph .... [LRB inserts date], to be administered and expended in accordance
13with the terms of the gift, grant, bequest or devise to carry out the purposes for which
14made and received.
AB75-SSA1,283,316
20.285
(1) (jq)
Steam and chilled-water plant; principal repayment, interest,
17and rebates; nonstate entities. All moneys received from utility charges to the
18University of Wisconsin Hospitals and Clinics Authority and agencies of the federal
19government that are approved by the department of administration under s. 36.11
20(48) to reimburse s. 20.866 (1) (u) for the payment of principal and interest costs
21incurred in purchasing the Walnut Street steam and chilled-water plant
22enumerated under
2003 Wisconsin Act 33, section
9106 (1) (g) 2.
and in renovating
23and adding an addition to the Charter Street heating and cooling plant enumerated
24under 2009 Wisconsin Act .... (this act), section 9106 (1) (g) 3., to make payments
25determined by the building commission under s. 13.488 (1) (m) that are attributable
1to the proceeds of obligations incurred in financing the purchase of the plant, and to
2make payments under an agreement or ancillary arrangement entered into under
3s. 18.06 (8) (a).
AB75-SSA1,283,115
20.285
(1) (ka)
Sale of real property. All net proceeds from the sale of real
6property by the board under s. 36.34, 1969 stats., and s. 36.33, except net proceeds
7received during
the period before July 1, 2007, and the period beginning on October
827, 2007, and ending on June 30, 2009,
and the period beginning on the effective date
9of this paragraph .... [LRB inserts date], to be used for the purposes of s. 36.34, 1969
10stats., and s. 36.33, including the expenses enumerated in s. 13.48 (2) (d) incurred
11in selling the real property under those sections.
AB75-SSA1,283,1713
20.285
(1) (kj)
Academic fee increase grants. The amounts in the schedule for
14academic fee increase grants under s. 36.25 (49). All moneys transferred to this
15appropriation account from the appropriation account under par. (h) shall be
16credited to this appropriation account. No moneys may be encumbered under this
17paragraph after June 30, 2011.
AB75-SSA1,284,519
20.285
(1) (ko)
Steam and chilled-water plant; principal repayment, interest,
20and rebates. All moneys received from utility charges to University of
21Wisconsin-Madison campus operations that are approved by the department of
22administration under s. 36.11 (48) to reimburse s. 20.866 (1) (u) for the payment of
23principal and interest costs incurred in purchasing the Walnut Street steam and
24chilled-water plant enumerated under
2003 Wisconsin Act 33, section
9106 (1) (g)
252.
and in renovating and adding an addition to the Charter Street heating and cooling
1plant enumerated under 2009 Wisconsin Act .... (this act), section 9106 (1) (g) 3., to
2make payments determined by the building commission under s. 13.488 (1) (m) that
3are attributable to the proceeds of obligations incurred in financing the purchase of
4the plant, and to make payments under an agreement or ancillary arrangement
5entered into under s. 18.06 (8) (a).
AB75-SSA1,284,117
20.285
(1) (r)
Environmental education; environmental assessments. From the
8environmental fund, as a continuing appropriation, an amount equal to 50% of the
9environmental assessments under s. 299.93 (1)
(a) and 70% of the environmental
10assessments under s. 299.93 (1) (b) for environmental education grants under s.
1136.54 (2).
AB75-SSA1,284,1813
20.285
(1) (s)
Wisconsin Bioenergy Initiative. From the recycling and
14renewable energy fund, the amounts in the schedule to support research under the
15Wisconsin Bioenergy Initiative into improved plant biomass, improved biomass
16processing, conversion of biomass into energy products, development of a
17sustainable energy economy, and development of enabling technologies for bioenergy
18research.
AB75-SSA1,284,2420
20.285
(4) (dd)
Lawton minority undergraduate grants program. A sum
21sufficient equal to
$5,218,300 $6,399,500 in the
2005-06 2009-10 fiscal year and
22$5,531,400 $6,757,900 in the
2006-07 2010-11 fiscal year, and in subsequent fiscal
23years a sum sufficient equal to the amount calculated under s. 36.34 (1) (c), for the
24Lawton minority undergraduate grant program under s. 36.34 (1).
AB75-SSA1,285,2
120.292
(1) (eh)
Training program grants. The Biennially, the amounts in the
2schedule for grants under s. 38.41.
AB75-SSA1,285,84
20.320
(1) (sm)
Land recycling loan program financial assistance. From the
5clean water fund program federal revolving loan fund account in the environmental
6improvement fund, a sum sufficient, not to exceed a total of $20,000,000
less the
7maximum transfer amount specified in any agreement under s. 25.43 (2s), to provide
8land recycling loan program financial assistance under s. 281.60.
AB75-SSA1,285,2110
20.370
(1) (fs)
Endangered resources — voluntary payments; sales, leases, and
11fees. As a continuing appropriation, from moneys received as amounts designated
12under ss. 71.10 (5) (b) and 71.30 (10) (b), the net amounts certified under ss. 71.10
13(5) (h) 4. and 71.30 (10) (h) 3., all moneys received from the sale or lease of resources
14derived from the land in the state natural areas system, and all moneys received from
15fees collected under ss. 23.27 (3) (b), 29.319 (2), 29.563 (10), and 341.14 (6r) (b) 5.
and
1612., for the purposes of the endangered resources program, as defined under ss. 71.10
17(5) (a) 2. and 71.30 (10) (a) 2. Three percent of the moneys certified under ss. 71.10
18(5) (h) 4. and 71.30 (10) (h) 3. in each fiscal year and 3% of the fees received under
19s. 341.14 (6r) (b) 5.
and 12. in each fiscal year shall be allocated for wildlife damage
20control and payment of claims for damage associated with endangered or threatened
21species, except that this combined allocation may not exceed $100,000 per fiscal year.
AB75-SSA1,286,223
20.370
(1) (hq)
Elk hunting fees. All moneys received from the sale of elk
24hunting licenses under s. 29.182 and from voluntary contributions under s. 29.567
25and $7 of each processing fee collected under s. 29.563 (14) (a) 3. to be used for
1administering elk hunting licenses, for elk management and research activities, and
2for the elk hunter education program under s. 29.595.
AB75-SSA1,286,114
20.370
(2) (bg)
Air management — stationary sources. The amounts in the
5schedule for purposes related to stationary sources of air contaminants as specified
6in s. 285.69 (2) (c) and to transfer the amounts appropriated under s. 20.143 (1) (kc)
7to the appropriation account under s. 20.143 (1) (kc). All moneys received from fees
8imposed on owners and operators of stationary sources for which operation permits
9are required under the federal clean air act under s. 285.69 (2) (a) and (e), except
10moneys appropriated under subs. (3) (bg), (8) (mg) and (9) (mh), and all moneys
11received from fees imposed under s. 285.69 (7) shall be credited to this appropriation.
AB75-SSA1,286,1913
20.370
(2) (bh)
Air management — state permit sources. The amounts in the
14schedule for purposes related to stationary sources of air contaminants for which an
15operation permit is required under s. 285.60 but not under the federal clean air act
16as specified in s. 285.69
(2) (i) (2m) (b). All moneys received from fees imposed under
17s. 285.69
(1g) and imposed under s. 285.69 (2) on owners and operators of stationary
18sources for which operation permits are required under s. 285.60 but not under the
19federal clean air act (2m) shall be credited to this appropriation account.
AB75-SSA1,286,2321
20.370
(3) (ar)
Law enforcement — boat enforcement and safety training. 22Annually, from the moneys received under s. 30.52 (3)
and 30.527 (3), the amounts
23in the schedule for boat law enforcement by the state and for boat safety training.
AB75-SSA1,287,5
120.370
(3) (bg)
Enforcement — stationary sources. From the general fund, from
2the moneys received from fees imposed
on owners and operators of stationary sources
3for which operation permits are required under the federal clean air act under s.
4285.69 (2) (a) and (e), the amounts in the schedule for enforcement operations related
5to stationary sources of air contaminants.
AB75-SSA1,287,137
20.370
(3) (is)
Lake research
Aquatic invasive species control; voluntary
8contributions. As a continuing appropriation, all moneys received from the fishing
9and boating voluntary contributions under ss. 29.564
(2) and 30.52 (3m)
(b) to be used
10for
research conducted by the department to determine methods of improving the
11quality of the lakes in this state grants under s. 23.22 (2) (c) to control invasive
12species that are aquatic species and for promotional activities and materials to
13encourage voluntary contributions under ss. 29.564 and 30.52 (3m)
(b).
AB75-SSA1,287,1715
20.370
(4) (ai)
Water resources — water use fees. From the general fund, all
16moneys received under s. 281.346 (12) for activities related to water use and the
17administration of s. 281.346.
AB75-SSA1,287,2219
20.370
(4) (aj)
Water resources—ballast water discharge permits. From the
20general fund, all moneys received from fees collected under s. 283.35 (1m) to
21administer and enforce the ballast water discharge permit program under s. 283.35
22(1m) and for grants under 2009 Wisconsin Act .... (this act), section 9137 (3w).
AB75-SSA1,288,324
20.370
(4) (bj)
Storm water management — fees. From the general fund, the
25amounts in the schedule for the administration, including enforcement, of the storm
1water discharge permit program under s. 283.33. All moneys received under s.
2283.33 (9)
and under 2009 Wisconsin Act .... (this act), section 9110 (11f) shall be
3credited to this appropriation account.
AB75-SSA1,288,85
20.370
(4) (cg)
Groundwater quantity administration. From the general fund,
6from the moneys received under s. 281.34, the amounts in the schedule for the
7administration of the program under s. 281.34
and, before July 1, 2010, for the
8administration of s. 281.346.
AB75-SSA1,288,1310
20.370
(5) (ar)
Resource aids — county conservation aids. As a continuing
11appropriation, the amounts in the schedule for county fish and game projects under
12s. 23.09 (12)
and for a public shooting range under 2009 Wisconsin Act .... (this act),
13section 9137 (4u).
AB75-SSA1, s. 275j
14Section 275j. 20.370 (5) (ar) of the statutes, as affected by 2009 Wisconsin Act
15.... (this act), is repealed and recreated to read:
AB75-SSA1,288,1816
20.370
(5) (ar)
Resource aids — county conservation aids. As a continuing
17appropriation, the amounts in the schedule for county fish and game projects under
18s. 23.09 (12).
AB75-SSA1,288,2120
20.370
(5) (az)
Resource aids — urban forestry grants. Biennially, the amounts
21in the schedule for urban forestry grants under s. 23.097.
AB75-SSA1,289,223
20.370
(5) (bw)
Resource aids —
county sustainable forestry and county forest
24administration grants. The Biennially, the amounts in the schedule for
urban
1forestry grants under s. 23.097, county sustainable forestry grants under s. 28.11
2(5r)
, and county forest administration grants under s. 28.11 (5m).
AB75-SSA1,289,74
20.370
(6) (as)
Environmental aids—invasive aquatic species and lake
5monitoring. Biennially, from the conservation fund, the amounts in the schedule for
6grants under s. 23.22 (2) (c) to control invasive species that are aquatic species
and
7for lake monitoring contracts under s. 281.68 (1t).
AB75-SSA1,289,129
20.370
(6) (bu)
Financial assistance for responsible units. From the recycling
10and renewable energy fund, the amounts in the schedule for grants to responsible
11units under s. 287.23
and for the grant under 2009 Wisconsin Act .... (this act), section
129137 (1q).
AB75-SSA1,289,1914
20.370
(6) (dq)
Environmental aids - urban nonpoint source. Biennially, from
15the environmental fund, the amounts in the schedule to provide financial assistance
16for urban nonpoint source water pollution abatement and storm water management
17under s. 281.66 and for municipal flood control and riparian restoration under s.
18281.665 and to make the grant under
2007 Wisconsin Act 20, section 9135 (1i) 2009
19Wisconsin Act .... (this act), section 9137 (5q).
AB75-SSA1, s. 280
20Section
280. 20.370 (7) (ca) of the statutes is renumbered 20.370 (7) (cq) and
21amended to read:
AB75-SSA1,290,522
20.370
(7) (cq)
Principal repayment and interest — nonpoint source grants. A 23From the environmental fund, a sum sufficient to reimburse s. 20.866 (1) (u) for the
24payment of principal and interest costs incurred in providing funds under s. 20.866
25(2) (te) for nonpoint source water pollution abatement projects under s. 281.65, to
1make the payments determined by the building commission under s. 13.488 (1) (m)
2that are attributable to the proceeds of obligations incurred in financing those
3projects, to the extent that these payments are not made under par. (cg), and to make
4payments under an agreement or ancillary arrangement entered into under s. 18.06
5(8) (a).
AB75-SSA1,290,137
20.370
(7) (cb)
Principal repayment and interest — pollution abatement bonds. 8A sum sufficient to reimburse s. 20.866 (1) (u) for the payment of principal and
9interest costs incurred in financing the acquisition, construction, development,
10enlargement or improvement of point source water pollution abatement facilities
11and sewage collection facilities under ss. 281.55, 281.56 and 281.57 and to make
12payments under an agreement or ancillary arrangement entered into under s. 18.06
13(8) (a)
, to the extent that these payments are not made under par. (ct).
AB75-SSA1, s. 282
14Section
282. 20.370 (7) (ce) of the statutes is renumbered 20.370 (7) (cr) and
15amended to read:
AB75-SSA1,290,2216
20.370
(7) (cr)
Principal repayment and interest — nonpoint source. A From
17the environmental fund, a sum sufficient to reimburse s. 20.866 (1) (u) for the
18payment of principal and interest costs incurred in financing nonpoint source
19projects under s. 20.866 (2) (tf), to make the payments determined by the building
20commission under s. 13.488 (1) (m) that are attributable to the proceeds of
21obligations incurred in financing those projects, and to make payments under an
22agreement or ancillary arrangement entered into under s. 18.06 (8) (a).
AB75-SSA1, s. 283
23Section
283. 20.370 (7) (cf) of the statutes is renumbered 20.370 (7) (cs) and
24amended to read:
AB75-SSA1,291,8
120.370
(7) (cs)
Principal repayment and interest — urban nonpoint source
2cost-sharing. A From the environmental fund, a sum sufficient to reimburse s.
320.866 (1) (u) for the payment of principal and interest costs incurred in financing
4cost-sharing grants for projects under s. 20.866 (2) (th), to make the payments
5determined by the building commission under s. 13.488 (1) (m) that are attributable
6to the proceeds of obligations incurred in financing those grants, and to make
7payments under an agreement or ancillary arrangement entered into under s. 18.06
8(8) (a).
AB75-SSA1,291,1810
20.370
(7) (ct)
Principal and interest — pollution abatement, environmental
11fund. From the environmental fund, the amounts in the schedule to reimburse s.
1220.866 (1) (u) for the payment of principal and interest costs incurred in financing
13the acquisition, construction, development, enlargement or improvement of point
14source water pollution abatement facilities and sewage collection facilities under ss.
15281.55, 281.56 and 281.57, to make the payments determined by the building
16commission under s. 13.488 (1) (m) that are attributable to the proceeds of
17obligations incurred in financing those facilities, and to make payments under an
18agreement or ancillary arrangement entered into under s. 18.06 (8) (a).
AB75-SSA1,291,2420
20.370
(8) (mg)
General program operations — stationary sources. From the
21general fund, from the moneys received from fees
imposed on owners and operators
22of stationary sources for which operation permits are required under the federal
23clean air act under s. 285.69 (2) (a) and (e), the amounts in the schedule for the
24administration of the operation permit program under ch. 285 and s. 299.15.
AB75-SSA1,292,7
120.370
(9) (hk)
Approval fees to Lac du Flambeau band-service funds. From
2the general fund, the amounts in the schedule for the purpose of making payments
3to the Lac du Flambeau band of the Lake Superior Chippewa under s. 29.2295 (4) (a)
4and (4m). All moneys transferred from the appropriation account under s. 20.505 (8)
5(hm) 8r. shall be credited to this appropriation account.
Notwithstanding s. 20.001
6(3) (a), the unencumbered balance on June 30 of each year shall revert to the
7appropriation account under s. 20.505 (8) (hm).